Interest rates
Libor manipulation fines and civil lawsuits could cost banks anywhere from $1 billion to tens – or even hundreds – of billions, according to early estimates. But plaintiffs have a high legal bar to...
Barclays’ settlement of Libor-rigging claims has sparked a full-scale financial scandal and exposed the conflicts inherent in the rate-setting process. There is a better way to organise it, says David...
Increasing prices on cross-currency swaps as a result of Basel III’s credit value adjustment charge are making it harder for companies to issue bonds overseas – this is just one example of the fragmentation...
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Interest rates articles
The turmoil in the eurozone has made for a cautious investor base in Spain and its southern European neighbours. But it is the high yield offered by government bonds on the back of sovereign debt fears that has enabled them to become structured products’...
BoE deputy governor asks to appear “as soon as possible” following calls for the Bank to explain Diamond conversation
Troy Rohrbaugh is to relocate to New York to head up rates and FX, while Chris Willcox moves to asset management
JVB Financial has scoured the interest rates market for its underlying of choice, placing its bets on a seemingly inevitable rise in these levels. Hannah Collins talks to John Tessar, head of structured products at the Florida-based distributor about...
Low interest rates and equity market volatility are making it extremely difficult to structure certificates of deposit with attractive terms
Risk's annual poll on Brazil's derivatives markets, including interest rates, currency, equity and other categories
Rock bottom interest rates in a difficult macro environment and the prospect of upcoming regulations have led to a need for banks to focus on products optimised around constraints. As the mood remains cautious in Europe and many developed markets approach...
This handy guide reviews the various steps banks are taking to improve their risk management techniques, looking at the benefits and pitfalls of each one.
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